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Interest Rates Product SlateMarket Data and Charts are delayed at least 10 minutes.
Product Name Code Contract Charts Last Change Open High Low Globex Volume
Eurodollar GEH5 Mar 2015 99.710 +0.005 99.710 99.710 99.705 5887
Eurodollar GEM5 Jun 2015 99.585 +0.005 99.580 99.585 99.570 5337
Eurodollar GEU5 Sep 2015 99.395 +0.005 99.380 99.395 99.370 8592
Eurodollar GEZ5 Dec 2015 99.145 0 99.130 99.145 99.125 10350
Eurodollar GEH6 Mar 2016 98.885 -0.005 98.875 98.895 98.865 9574
Eurodollar GEM6 Jun 2016 98.635 -0.005 98.620 98.640 98.605 7160
Eurodollar GEU6 Sep 2016 98.390 -0.005 98.380 98.400 98.365 6741
Eurodollar GEZ6 Dec 2016 98.180 +0.005 98.165 98.190 98.150 5760
10-Year U.S. Treasury Note ZNH5 Mar 2015 127'010 +0'025 126'300 127'035 126'270 24856
5-Year Deliverable Interest Rate Swap F1UH5 Mar 2015 101'285 b +0'015 - 101'285 - -
10-Year Deliverable Interest Rate Swap N1UH5 Mar 2015 106'040 a +0'015 - 106'060 - -
2-Year Eurodollar Bundle BU2H5 Mar 2015 - - - - -
3-Year Eurodollar Bundle BU3H5 Mar 2015 - - - - -
5-Year Eurodollar Bundle BU5H5 Mar 2015 - - - - -
Product Name Code Contract Charts Last Change Open High Low Globex Volume
Eurodollar GEH5 Mar 2015 99.710 +0.005 99.710 99.710 99.705 5887
Eurodollar GEM5 Jun 2015 99.585 +0.005 99.580 99.585 99.570 5337
Eurodollar GEU5 Sep 2015 99.395 +0.005 99.380 99.395 99.370 8592
Eurodollar GEZ5 Dec 2015 99.145 0 99.130 99.145 99.125 10350
Eurodollar GEH6 Mar 2016 98.885 -0.005 98.875 98.895 98.865 9574
Eurodollar GEM6 Jun 2016 98.635 -0.005 98.620 98.640 98.605 7160
Eurodollar GEU6 Sep 2016 98.390 -0.005 98.380 98.400 98.365 6741
Eurodollar GEZ6 Dec 2016 98.180 +0.005 98.165 98.190 98.150 5760
30-Day Federal Funds ZQG5 Feb 2015 - - - - -
2-Year Eurodollar Bundle BU2H5 Mar 2015 - - - - -
3-Year Eurodollar Bundle BU3H5 Mar 2015 - - - - -
5-Year Eurodollar Bundle BU5H5 Mar 2015 - - - - -
Product Name Code Contract Charts Last Change Open High Low Globex Volume
Ultra T-Bond UBH5 Mar 2015 165'21 +0'18 165'16 165'29 165'12 731
U.S. Treasury Bond ZBH5 Mar 2015 144'30 +0'07 144'28 145'04 144'24 5456
10-Year U.S. Treasury Note ZNH5 Mar 2015 127'010 +0'025 126'300 127'035 126'270 24856
5-Year U.S. Treasury Note ZFH5 Mar 2015 119'005 +0'017 118'305 119'017 118'285 12590
3-Year U.S. Treasury Note Z3NZ4 Dec 2014 - - - - -
2-Year U.S. Treasury Note ZTH5 Mar 2015 109'112 0 109'102 109'117 109'095 12648
Product Name Code Contract Charts Last Change Open High Low Globex Volume
2-Year Deliverable Interest Rate Swap T1UH5 Mar 2015 - - - - -
5-Year Deliverable Interest Rate Swap F1UH5 Mar 2015 101'285 b +0'015 - 101'285 - -
10-Year Deliverable Interest Rate Swap N1UH5 Mar 2015 106'040 a +0'015 - 106'060 - -
30-Year Deliverable Interest Rate Swap B1UH5 Mar 2015 116'30 a +0'14 - 117'03 - -
2-Year Euro Deliverable Interest Rate Swap T1EH5 Mar 2015 - - - - -
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CME Group is the world's leading marketplace for trading short-, medium- and long-term interest rate derivative products. Spanning the entire U.S. dollar-denominated yield curve, our products include futures and options on the most widely followed U.S. interest rate benchmarks: Eurodollars, U.S. Treasury securities, 30-Day Fed Funds, and Interest Rate Swaps. The liquidity, transparency and security of CME Group interest rate markets provide customers around the world with safe, efficient means for managing interest rate risk. Backed by our central counterparty clearing model, we offer powerful solutions to address a wide range of risk management needs.
 

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